Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q2
$85.7M Sell
729,900
-50,559
-6% -$5.29M 2.4% 9
2026
Q1
$60.6M Sell
780,459
-20,089
-3% -$1.57M 1.85% 9
2025
Q4
$61.7M Sell
800,548
-15,299
-2% -$1.14M 1.92% 9
2025
Q3
$55.8M Sell
815,847
-3,342
-0.4% -$228K 1.75% 9
2025
Q2
$56.8M Sell
819,189
-38,686
-5% -$2.38M 1.87% 10
2025
Q1
$52.9M Sell
857,875
-76,745
-8% -$4.72M 1.95% 9
2024
Q4
$55.3M Sell
934,620
-90,911
-9% -$5.19M 2.03% 9
2024
Q3
$54.6M Sell
1,025,531
-74,867
-7% -$3.64M 1.91% 9
2024
Q2
$52.3M Buy
1,100,398
+114,770
+12% +$5.45M 1.93% 9
2024
Q1
$49.2M Buy
985,628
+50,324
+5% +$2.51M 1.9% 8
2023
Q4
$47.3M Buy
935,304
+32,005
+4% +$1.64M 1.93% 8
2023
Q3
$48.6M Buy
903,299
+10,022
+1% +$541K 2.19% 8
2023
Q2
$46.2M Buy
893,277
+72,073
+9% +$3.55M 2.01% 7
2023
Q1
$42.9M Sell
821,204
-10,804
-1% -$528K 1.91% 7
2022
Q4
$39.6M Buy
832,008
+32,598
+4% +$1.48M 1.77% 9
2022
Q3
$32M Buy
799,410
+105,158
+15% +$4.67M 1.61% 12
2022
Q2
$29.6M Buy
694,252
+216,392
+45% +$10.4M 1.42% 15
2022
Q1
$26.6M Buy
477,860
+62,990
+15% +$3.56M 1.11% 22
2021
Q4
$26.3M Sell
414,870
-77,286
-16% -$4.42M 1.03% 24
2021
Q3
$26.8M Sell
492,156
-30,701
-6% -$1.72M 1.13% 22
2021
Q2
$27.7M Sell
522,857
-92,632
-15% -$4.87M 1.16% 23
2021
Q1
$31.8M Sell
615,489
-120,635
-16% -$5.66M 1.4% 18
2020
Q4
$32.9M Sell
736,124
-21,443
-3% -$881K 1.54% 16
2020
Q3
$29.8M Sell
757,567
-26,543
-3% -$1.16M 1.57% 14
2020
Q2
$36.6M Sell
784,110
-190,251
-20% -$8.34M 2.05% 10
2020
Q1
$38.3M Buy
974,361
+21,371
+2% +$938K 2.43% 8
2019
Q4
$45.7M Buy
952,990
+29,171
+3% +$1.36M 2.32% 8
2019
Q3
$45.6M Buy
923,819
+8,085
+0.9% +$420K 2.48% 5
2019
Q2
$50.1M Sell
915,734
-13,919
-1% -$769K 2.72% 5
2019
Q1
$50.2M Sell
929,653
-19,616
-2% -$953K 2.82% 4
2018
Q4
$41.1M Sell
949,269
-21,120
-2% -$966K 2.55% 5
2018
Q3
$47.2M Sell
970,389
-5,214
-0.5% -$235K 2.59% 6
2018
Q2
$42M Buy
975,603
+17,997
+2% +$786K 2.41% 7
2018
Q1
$41.1M Sell
957,606
-5,221
-0.5% -$221K 2.38% 8
2017
Q4
$36.9M Buy
962,827
+1,698
+0.2% +$60.7K 2.06% 10
2017
Q3
$32.3M Buy
961,129
+35,137
+4% +$1.12M 1.85% 14
2017
Q2
$29M Buy
925,992
+14,537
+2% +$474K 1.72% 15
2017
Q1
$30.8M Sell
911,455
-21,547
-2% -$699K 1.85% 12
2016
Q4
$28.2M Buy
933,002
+12,795
+1% +$390K 1.72% 14
2016
Q3
$29.2M Buy
920,207
+1,504
+0.2% +$46.3K 1.86% 12
2016
Q2
$26.4M Buy
918,703
+25,049
+3% +$703K 1.68% 15
2016
Q1
$25.4M Buy
893,654
+17,975
+2% +$462K 1.68% 15
2015
Q4
$23.8M Buy
875,679
+20,731
+2% +$572K 1.61% 18
2015
Q3
$22.4M Buy
854,948
+19,950
+2% +$539K 1.61% 20
2015
Q2
$22.9M Sell
834,998
-8,340
-1% -$239K 1.57% 20
2015
Q1
$23.2M Buy
843,338
+32,574
+4% +$917K 1.57% 18
2014
Q4
$22.6M Buy
810,764
+19,917
+3% +$514K 1.49% 20
2014
Q3
$19.9M Sell
790,847
-6,315
-0.8% -$159K 1.45% 24
2014
Q2
$19.8M Buy
797,162
+11,991
+2% +$286K 1.36% 21
2014
Q1
$17.6M Buy
785,171
+52,102
+7% +$1.15M 1.25% 22
2013
Q4
$16.4M Buy
733,069
+6,500
+0.9% +$144K 1.17% 23
2013
Q3
$17M Buy
726,569
+20,694
+3% +$514K 1.3% 18
2013
Q2
$17.2M Buy
+705,875
New +$15.9M 1.39% 18

Other funds holding CSCO

Park National Corp's CSCO Position: Q2 2026 in Review

Park National Corp reduced its Cisco (CSCO) stake by 6.5% in Q2 2026, selling an estimated $5.29M and leaving 729,900 shares worth $85.7M. The position accounts for 2.4% of the portfolio, ranked #9.

Park National Corp first reported a position in CSCO in Q2 2013 and has held it in 53 quarters since. 1,888 funds tracked by Wall St. Rank hold CSCO as of Q2 2026.

  • Park National Corp held 729,900 shares of Cisco worth $85.7M as of Q2 2026.
  • Park National Corp sold 50,559 Cisco shares in Q2 2026, an estimated $5.29M.
  • Cisco made up 2.4% of Park National Corp's portfolio in Q2 2026, its #9 holding.
  • Park National Corp first reported a position in Cisco in Q2 2013 and has held it in 53 quarters since.
  • 1,888 funds tracked by Wall St. Rank held Cisco as of Q2 2026.

Based on Park National Corp's 13F filing for Q2 2026, filed 15 Jul 2026.